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Finance (Banking and Risk Management) MSc
The MSc Finance (Banking and Risk Management) programme in UCC involves an advanced study of the theory and practice of investment, banking and risk management. You will study advanced Finance, Financial Economics, Macroeconomics and Quantitative Financial Techniques - taught through in demand data analysis software such as Python or R.
Your studies build to one of the following:
- An independent applied research project which you undertake over the summer term where you put the theories and quantitative financial techniques taught to you during your studies into practice, using advanced statistics and software. You choose your own research topic in term 2 and are given one-to-one supervision support by an experienced academic from our teaching team over the summer term.
- An Industry Placement in banking or finance you will undertake over the summer at a financial company where you can put the knowledge and skills gained during the course into practice under the supervision of an academic mentor. From this you will write a professional report relating to your role.
Our past graduates have gone on to work in a broad range of areas such as:
- Commercial and Investment Banking,
- Treasury Risk Management,
- Regulation,
- Central Banking,
- Economic Consulting,
- Investment Research,
- Hedge Funds and,
- Academia

